- "Carbon Returns and Risk Premia in a Macro-Finance Model for the Climate Transition" (with P. Grüning and S. Hitzemann)
- "From Headlines to Market Moves: How European Green Deal News Affect Portfolio Returns" (with I. Gufler and R. Kizys)
- "Ambiguity in Pricing Climate Uncertainty" (with M. Z. Ammar, G. Curatola, M. Donadelli, I. Gufler and V. Patella)
- Trump’s 2024 Win and The Fate of Green and Brown Portfolio Returns (with N. Comincioli)
- Green Investing Under Limited Attention (with R. Kizys and A. Mazzoran)